Principal Global Investors Funds - High Yield Fund announced distribution rate of 0.0484 for the D2 Class Income Units, 0.0478 for the Hong Kong Dollar D2 Class Income Units, 0.0587, 0.0587 Hong Kong Dollar D2 Class Income Plus Units and 0.0587 D2 Class Income Plus Units for the period ended 31 August 2020. For the dividend ex-date is September 1, 2020 and payable date is September 18, 2020.